Publisher
Springer International Publishing
Reference39 articles.
1. Angelini P, Clerc L, Cúrdia V, Gambacorta L, Gerali A, Locarno A, Motto R, Roeger W, van den Heuvel S, Vlček J (2015) Basel III: long-term impact on economic performance and fluctuations. Manch Sch 83(2):217–251
2. Arnold B, Borio C, Ellis L, Moshirian F (2012) Systemic risk, macroprudential policy frameworks, monitoring financial systems and the evolution of capital adequacy. J Bank Finance 36(12):3125–3132
3. Athanasoglou PP, Delis MD, Staikouras CK (2006) Determinants of Bank Profitability in the South Eastern European Region, Bank of Greece Working Paper, No. 47
4. Athanasoglou P (2011) Bank Capital and Risk in the South Eastern European Region, Munich Personal RePEc Archive Paper, No. 32002
5. Barisitz S, Gardó G (2008) Financial sector development in Serbia: Closing ranks with peers. Focus on European Econ Int 2:94–119